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Tab 10 Allocation of Proceeds of BondsCITY OF KALISPELL ESTIMATED SOURCES AND USES OF FUNDS SCHEDULE Special Improvement District no. 342, Series 1995 Corporate Way Sources of Funds: Proceeds of Bonds $20%000 Developer's contribution $15,000 City's contribution to upsize water line $18A-A it -11 Total Available Funds $227,$843 Use of Funds: Construction bid $187,331 less change order deleting sidewalks $1&480 $168�851 Engineering, Inspection & Contingency $28�322 Cost of Issuance of Bonds: Deposit to Revolving Fund $ 10450 Deposit to Reserve Account $105450 Underwriter's discount $61270 Bond Counsel (est.) $300 Bond Printing (est.) $500 Total Cost of Issuance $30�670 Total Use of Funds $2.2L843